HoldingsChannel.com
BRYN MAWR TRUST Co Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
APPLE INC 273,334 +6,672 $51,920
     AAPL273,334+6,672$51,920
MICROSOFT CORP 410,571 -300 $48,422
     MSFT410,571-300$48,422
JOHNSON & JOHNSON 288,892 -11,037 $40,385
     JNJ288,892-11,037$40,385
BECTON DICKINSON 141,434 +3,278 $35,320
     BDX141,434+3,278$35,320
ABBOTT LABS 409,196 -18,162 $32,711
     ABT409,196-18,162$32,711
JPMORGAN 319,857 -1,384 $32,379
     JPM319,857+13,866$32,379
THERMO FISHER SCIENTIFIC INC 116,580 +10 $31,910
     TMO116,580+10$31,910
PEPSICO INC 254,240 +2,170 $31,157
     PEP254,240+2,170$31,157
CISCO SYSTEMS INC 571,296 -9,364 $30,844
     CSCO571,296-9,364$30,844
SPDR (SPY) 108,361 -2,786 $30,609
     SPY108,361-2,786$30,609
EXXON MOBIL CORP 363,281 -544 $29,352
     XOM363,281-544$29,352
ISHARES (IJH) 145,539 -8,424 $27,565
     IJH145,539-8,424$27,565
VERIZON COMMUNICATIONS INC 462,701 +12,014 $27,360
     VZ462,701+12,014$27,360
MASTERCARD INC A 110,116 -4,769 $25,927
     MA110,116-4,769$25,927
HONEYWELL INTL INC 160,887 +5,720 $25,568
     HON160,887+5,720$25,568
VANGUARD (VEA) 604,060 -9,322 $24,688
     VEA604,060-9,322$24,688
ISHARES (IWM) 149,155 -4,473 $22,833
     IWM149,155-4,473$22,833
ALPHABET INC 19,030 +2,538 $22,330
     GOOG19,030+2,538$22,330
ISHARES (SCZ) 372,145 +10,386 $21,375
     SCZ372,145+10,386$21,375
VISA INC 134,958 -434 $21,079
     V134,958-434$21,079
3M CO 100,737 +1,750 $20,932
     MMM100,737+1,750$20,932
DOWDUPONT INC 361,052 +2,803 $19,248
     DWDP361,052+2,803$19,248
TJX COS INC 354,154 -2,527 $18,844
     TJX354,154-2,527$18,844
CORNING INC 568,254 -8,232 $18,809
     GLW568,254-8,232$18,809
HERSHEY CO 163,209 -16,657 $18,742
     HSY163,209-16,657$18,742
VANGUARD (VWO) 427,458 -20,285 $18,167
     VWO427,458-20,285$18,167
UNITED PARCEL SVC INC 161,814 -325 $18,081
     UPS161,814-325$18,081
BB&T CORP 384,595 +3,081 $17,896
     BBT384,595+3,081$17,896
NIKE INC 211,530 -4,085 $17,813
     NKE211,530-4,085$17,813
AMGEN INC 92,276 +1,802 $17,531
     AMGN92,276+1,802$17,531
SYSCO CORP 261,942 +6,956 $17,487
     SYY261,942+6,956$17,487
UNITED TECHNOLOGIES CORP 132,960 -64 $17,137
     UTX132,960-64$17,137
PRUDENTIAL FINL INC 177,495 +10,554 $16,308
     PRU177,495+10,554$16,308
STRYKER CORP 81,486 -4,572 $16,095
     SYK81,486-4,572$16,095
PROCTER & GAMBLE CO THE 153,347 +148 $15,956
     PG153,347+148$15,956
MERCK & CO INC NEW 188,341 +1,852 $15,665
     MRK188,341+1,852$15,665
INVESCO 84,592 -1,213 $15,198
     QQQ84,592-1,213$15,198
DARDEN RESTAURANTS INC COM 114,039 -1,893 $13,852
     DRI114,039-1,893$13,852
WELLS FARGO & CO NEW      $13,835
     WFC279,375-4,863$13,499
     WFC.PRT13,150-2,135$336
ISHARES (IJR) 177,689 -7,502 $13,708
     IJR177,689-7,502$13,708
ISHARES (IVV) 46,440 -1,205 $13,215
     IVV46,440-1,205$13,215
TELEFLEX INC 42,420 -1,002 $12,817
     TFX42,420-1,002$12,817
OCCIDENTAL PETROLEUM CORP 192,635 +5,744 $12,752
     OXY192,635+5,744$12,752
AFLAC INC 250,586 -11,373 $12,529
     AFL250,586-11,373$12,529
MASIMO CORP 89,631 -6,335 $12,394
     MASI89,631-6,335$12,394
EOG RESOURCES INC 127,130 +2,374 $12,100
     EOG127,130+2,374$12,100
INTUIT INC 46,111 -840 $12,054
     INTU46,111-840$12,054
ISHARES (EFA) 182,728 -6,677 $11,852
     EFA182,728-6,677$11,852
CME GROUP INC 71,877 +802 $11,829
     CME71,877+802$11,829
TEMPLETON INSTL FDS      $11,693
     MUTUAL FUNDS 737,419-115,224$11,693

See Full List: All Stocks Held By BRYN MAWR TRUST Co
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By BRYN MAWR TRUST Co

Size ($ in 1000's)
At 03/31/2019: $1,836,290
At 12/31/2018: $1,643,694

BRYN MAWR TRUST Co holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from BRYN MAWR TRUST Co 13F filings. Link to 13F filings: SEC filings

BRYN MAWR TRUST Co Top Holdings 13F Filings | www.HoldingsChannel.com

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